Additional Factors for Calculating Prediction Intervals for Samples from a Normal Distribution
From MaRDI portal
Publication:5620292
DOI10.2307/2284349zbMath0216.48404OpenAlexW4241386476MaRDI QIDQ5620292
Publication date: 1970
Full work available at URL: https://doi.org/10.2307/2284349
Related Items (6)
Bayesian approach to prediction in the presence of outliers for Weibull distribution ⋮ Simultaneous Two-Sided Prediction Intervals to Contain at LeastlOut ofkFuture Means from a Normal Distribution ⋮ A general algorithm for computing simultaneous prediction intervals for the (log)-location-scale family of distributions ⋮ Prediction intervals for a balanced one-way random-effects model ⋮ Prediction intervals for general balanced linear random models ⋮ Prediction intervals with a Dirichlet-process prior distribution
This page was built for publication: Additional Factors for Calculating Prediction Intervals for Samples from a Normal Distribution